Financials
Valor 2022202320242025 TTM Cash from investing activities -87.13 M69.08 M20.45 M-1.19 M -1.19 M Cash from financing activities 88.76 M-68.15 M-15.76 M934.71 K 934.71 K Free cash flow -514.07 K-1.52 M-1.69 M-1.77 M -1.77 M